191 North Wacker Drive, Suite 2300 | Chicago, Il 60606-1633 | 312-422-1392 | CONTACT US
591 West Putnam Avenue Greenwich, CT 06830
The analyst will be part of a team that is responsible for financial and strategic management for a portfolio of power plant assets of a private equity company. The goal of the position is to commercially optimize their generation assets.
Key responsibilities include:
-Provide analysis in support of risk management and hedging;
-Fundamental market analysis of power markets using third-party tools and modeling supply/demand.
Provide insights and views to the asset management team;
-Review regulatory policies and impacts to the power markets;
-Analyze gross margins of the plants;
-Analyze key risk metrics including mark-to-market, VaR and credit risk;
-Responsible for weekly, monthly and quarterly reporting of portfolio performance including all KPIs;
-Involved in reporting to executives, internal deal teams and investors;
-Participate in annual budget process;
-Support internal deal team as needed with modeling/due diligence analysis of acquisitions and disposition of power plants.
Professional and educational requirements include a Bachelor’s degree Finance, Economics, Mathematics, Statistics, Engineering or related numerate field; 2-3 years’ experience in the power markets in asset management, structuring, fundamentals, trade strategy, economic consulting or private equity investing; strong working knowledge of the physical and financial electricity/power markets including experience in one or more of the following energy markets: PJM, ISO-NE, NYISO, MISO, ERCOT, SPP and CaISO; experience with the capacity markets; ability to communicate complex hedging transactions; analytical skills; and advanced technology skills including Excel/VBA/SQL/PowerPoint are required.